XML 173 R159.htm IDEA: XBRL DOCUMENT v3.25.1
Employees' Leaving Entitlement - Summary of Inputs Used in Measurement of Fair Values at Grant Date of Equity Settled Share-based Payment Plans (Details) - Jul. 15, 2022
€ / shares in Units, $ in Thousands
EUR (€)
€ / shares
USD ($)
Disclosure of terms and conditions of share-based payment arrangement [line items]    
Fair value of option at grant date | $   $ 2,458,542
American Depository Shares [member] | Beneficiary 1 [member]    
Disclosure of terms and conditions of share-based payment arrangement [line items]    
Fair value of option at grant date | € € 4,390  
Closing price at grant date € 8.8700  
Currency of Exercise Price U.S. dollar  
Exercise price € 14.595  
Expected volatility of the stock price (weighted-average) 67.73%  
Expected life (weighted-average) 2 years 8 months 19 days  
Risk-free interests rate (based on government bonds) 2.80%  
American Depository Shares [member] | Beneficiary 2 [member]    
Disclosure of terms and conditions of share-based payment arrangement [line items]    
Fair value of option at grant date | € € 4,300  
Closing price at grant date € 8.8700  
Currency of Exercise Price U.S. dollar  
Exercise price € 15.345  
Expected volatility of the stock price (weighted-average) 67.73%  
Expected life (weighted-average) 2 years 8 months 19 days  
Risk-free interests rate (based on government bonds) 2.80%  
American Depository Shares [member] | Beneficiary 3 with First Option [member]    
Disclosure of terms and conditions of share-based payment arrangement [line items]    
Fair value of option at grant date | € € 4,530  
EURUSD exchange rate at grant date | € 1,005.9000  
Closing price at grant date € 8.8700  
Currency of Exercise Price Euro  
Exercise price € 5.0295  
Expected volatility of the stock price (weighted-average) 67.73%  
Expected volatility of EURUSD exchange rate 7.27%  
Expected life (weighted-average) 6 months 3 days  
Risk-free interests rate (based on government bonds) 2.80%  
American Depository Shares [member] | Beneficiary 3 with Second Option [member]    
Disclosure of terms and conditions of share-based payment arrangement [line items]    
Fair value of option at grant date | € € 3,370  
Closing price at grant date € 8.8700  
Currency of Exercise Price U.S. dollar  
Exercise price € 15.6  
Expected volatility of the stock price (weighted-average) 67.73%  
Expected life (weighted-average) 7 months 2 days  
Risk-free interests rate (based on government bonds) 2.80%